Mentorship of a Corporate Finance Analyst, the Deal Support Analyst will be exposed to the following: Improve comply with local, national and global regulations Support effective execution and implementation of advisory
following:
rate Stamp as entered File in “Creditors” At month-end reconcile invoices to statement and general ledger creditors listing for the month in month-end file with supporting documents Bank/Cashbook: Update bank statements provisions Month-end: Ensure that all month-end activities are completed as per month-end control sheet Balance Sheet Ensure all Loan accounts balance to supporting documents/statements and reconcile to Balance management accounts by no later than 2 weeks after month end Meeting with Office Manager to ensure packs are accurate
procedures.
and submissions in addition to supporting the finance team during month end.
Job Experience
required to support the central business enablement team in providing high levels of support to the regions
others
Operational Support (10%)
Support the Centre with general office management
tasks including reception and facilities
Support the Centre with the ordering of stationery / office
etc.
Request and submit invoices and month end statements to third parties where necessary
Managing
have left the company
Preparation of month end reconciliation packs for Finance
Other
required to support the central business enablement team in providing high levels of support to the regions amongst others. Responsibilities: Operational Support (10%) Support the Centre with general office management management tasks including reception and facilities Support the Centre with the ordering of stationery / office Partners etc. Request and submit invoices and month end statements to third parties where necessary Managing Partners who have left the company Preparation of month end reconciliation packs for Finance Other Duties (5%)
required to support the central business enablement team in providing high levels of support to the regions amongst others. Responsibilities: Operational Support (10%) Support the Centre with general office management management tasks including reception and facilities Support the Centre with the ordering of stationery / office Partners etc. Request and submit invoices and month end statements to third parties where necessary Managing Partners who have left the company Preparation of month end reconciliation packs for Finance Other Duties (5%)
financial statements, and provide insights to support strategic decision-making. Don't miss this opportunity accordance with IFRS. Coordinate the month-end, interim, and year-end reporting processes. Provide technical technical accounting guidance and support to stakeholders. Assist in the implementation of new accounting standards
business on other forums and committees.